Christopher Street Capital research conducts qualitative and quantitative research on credit derivatives, specifically analyzing their impact on equities. With focus on the equity investor, we have also developed our own highly value added multi asset based research methodology to highlight instances where two related and closely correlated assets have moved away from their traditional relationship.

These instances are then analysed from a fundamental perspective, to understand the key drivers, qualify the impact of the change in one asset on the other and quantify the potential upside and risks in the trade. This analysis, combined with insight into trading volume provided by GFI Group’s market leading position in many of the core OTC derivative markets, makes a powerful and unique addition to traditional fundamental research.

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